董事介绍

注:董事持股数取自最新公司公告

姓名 性别 职位 年龄 薪酬 持股数(万股) 截止日期
Nicholas C. Marsh Director 70 5.25万美元 未持股 2017-03-01
Philip M. Butterfield Director 79 21.00万美元 未持股 2017-03-01
John T. Baily Director 82 24.00万美元 未持股 2017-03-01
William H. Bolinder Director 82 27.00万美元 未持股 2017-03-01
Scott D. Moore Director 73 22.00万美元 未持股 2017-03-01
Robert A. Spass Director 70 21.00万美元 未持股 2017-03-01
Steven W. Carlsen Director 69 25.17万美元 未持股 2017-03-01
William J. Raver Director 78 22.00万美元 未持股 2017-03-01
Norman Barham Director 84 23.00万美元 未持股 2017-03-01
Galen R. Barnes Director 79 21.00万美元 未持股 2017-03-01
Morgan W. Davis Director 75 5.25万美元 未持股 2017-03-01
Ian M. Winchester Director 79 8.23万美元 未持股 2017-03-01
Susan S. Fleming Director 55 22.00万美元 未持股 2017-03-01
John R. Charman Chairman of the Board and Chief Executive Officer and Director 64 92.46万美元 未持股 2017-03-01

高管介绍

注:高管持股数取自最新公司公告

姓名 性别 职位 年龄 薪酬 持股数(万股) 截止日期
Christopher Gallagher Chief Risk Officer and Group Actuary 43 未披露 未持股 2017-03-01
Brian W. Goshen Chief Human Resources Officer 55 未披露 未持股 2017-03-01
Stephen H. R. Young Chief Executive Officer, Global Reinsurance 45 未披露 未持股 2017-03-01
John V. Del Col General Counsel and Secretary and Executive Vice President, Acquisitions 55 240.93万美元 未持股 2017-03-01
Michael J. McGuire Chief Financial Officer 44 292.58万美元 未持股 2017-03-01
John A. Kuhn Chief Executive Officer, Global Insurance 52 418.01万美元 未持股 2017-03-01
John R. Charman Chairman of the Board and Chief Executive Officer and Director 64 92.46万美元 未持股 2017-03-01

董事简历

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Nicholas C. Marsh

Nicholas C. Marsh,他曾担任Atrium Underwriting Group Limited公司的公司承销董事,以及承销审核董事(从2007年到2013年12月退休)。任职Atrium公司40年间,他也曾担任Lloyd’s公司的Syndicate 570的积极承销商(1989年至2005年),此前也曾担任Syndicate 570的承销商(从1973年到1989年)、Atrium Underwriters Limited公司的主席(2005年至2007年)、Atrium Underwriting公司的首席执行官(2000年至2005年)。他曾一直担任the Lloyd’s Benevolent Fund的受托人(2007年以来),也曾担任the Council of Lloyd’s的成员(2008年至2013年)。他也曾担任HCC International Insurance Company PLC 、HCC at Lloyd’s 的非执行主席(2014年4月以来)。


Nicholas C. Marsh was employed as Director of Corporate Underwriting and Director of Underwriting Review at Atrium Underwriting Group Limited from 2007 until his retirement in December 2013. During his forty-year career with Atrium, Mr. Marsh also served as the Active Underwriter of Syndicate 570 at Lloyd's from 1989 to 2005 and prior to that as an Underwriter of Syndicate 570 from 1973 to 1989 as Chairman of Atrium Underwriters Limited from 2005 to 2007 and Chief Executive Officer of Atrium Underwriting Plc from 2000 to 2005. He has served as a trustee of the Lloyd's Benevolent Fund since 2007 and, from 2008 to 2013 he served as a member of the Council of Lloyd's. Mr. Marsh has also served as non-executive Chairman of HCC International Insurance Company PLC and HCC at Lloyd's since April 2014.
Nicholas C. Marsh,他曾担任Atrium Underwriting Group Limited公司的公司承销董事,以及承销审核董事(从2007年到2013年12月退休)。任职Atrium公司40年间,他也曾担任Lloyd’s公司的Syndicate 570的积极承销商(1989年至2005年),此前也曾担任Syndicate 570的承销商(从1973年到1989年)、Atrium Underwriters Limited公司的主席(2005年至2007年)、Atrium Underwriting公司的首席执行官(2000年至2005年)。他曾一直担任the Lloyd’s Benevolent Fund的受托人(2007年以来),也曾担任the Council of Lloyd’s的成员(2008年至2013年)。他也曾担任HCC International Insurance Company PLC 、HCC at Lloyd’s 的非执行主席(2014年4月以来)。
Nicholas C. Marsh was employed as Director of Corporate Underwriting and Director of Underwriting Review at Atrium Underwriting Group Limited from 2007 until his retirement in December 2013. During his forty-year career with Atrium, Mr. Marsh also served as the Active Underwriter of Syndicate 570 at Lloyd's from 1989 to 2005 and prior to that as an Underwriter of Syndicate 570 from 1973 to 1989 as Chairman of Atrium Underwriters Limited from 2005 to 2007 and Chief Executive Officer of Atrium Underwriting Plc from 2000 to 2005. He has served as a trustee of the Lloyd's Benevolent Fund since 2007 and, from 2008 to 2013 he served as a member of the Council of Lloyd's. Mr. Marsh has also served as non-executive Chairman of HCC International Insurance Company PLC and HCC at Lloyd's since April 2014.
Philip M. Butterfield

Philip M. Butterfield,他一直是我们的董事(2014年11月以来),目前担任审计委员会的成员以及董事会提名和公司治理委员会的成员。他是HSBC Bank Bermuda Limited公司的董事会主席,也曾担任首席执行官(从2004年2月到2012年5月)。此前,他曾担任首席运营官,负责HSBC Bank Bermuda Limited公司的运营、系统、人力资源、审计、合规、法律和项目管理办公室的全球方向和监督。他于2000年加入HSBC Bank Bermuda Limited公司,担任首席行政官。加入HSBC Bank Bermuda Limited公司之前,他曾担任Citibank公司(他于1972年加入该公司)的多种高级职务,涉及私人银行、企业银行、运营技术、人力资源。他也是the Bermuda Hospitals Charitable Trust的主席、Bermuda First公司的指导委员会的成员、Bermuda Health Foundation的总裁、the Victor Scott School Alumni Association的主席,以及the Bank of Bermuda Foundation、Johns Hopkins Medicine、the American Classical Orchestra的董事会成员。


Philip M. Butterfield has been a director since November 2014 and currently serves as a member of the Audit Committee and the Nominating and Corporate Governance Committee of the Board. Mr. Butterfield was Chairman of the Board of HSBC Bank Bermuda Limited from May 2012 to December 2015 and was Chief Executive Officer of HSBC Bank Bermuda Limited from February 2004 until May 2012. Prior to this, Mr. Butterfield held the position of Chief Operating Officer with responsibility for the direction and oversight globally of HSBC Bank Bermuda Limited’s Operations, Systems, Human Resources, Audit, Compliance, Legal and Programme Management Office. Mr. Butterfield joined HSBC Bank Bermuda Limited in 2000 as Chief Administration Officer. Before joining HSBC Bank Bermuda Limited, Mr. Butterfield held a number of senior positions in Private Banking, Corporate Banking, Operations and Technology, and Human Resources with Citibank, which he joined in 1972. Mr. Butterfield is also Chairman of the Bermuda Hospitals Charitable Trust, a member of the Steering Committee for Bermuda First, President of Bermuda Health Foundation, Chairman of the Victor Scott School Alumni Association and a board member of the Bank of Bermuda Foundation, Johns Hopkins Medicine and the American Classical Orchestra.
Philip M. Butterfield,他一直是我们的董事(2014年11月以来),目前担任审计委员会的成员以及董事会提名和公司治理委员会的成员。他是HSBC Bank Bermuda Limited公司的董事会主席,也曾担任首席执行官(从2004年2月到2012年5月)。此前,他曾担任首席运营官,负责HSBC Bank Bermuda Limited公司的运营、系统、人力资源、审计、合规、法律和项目管理办公室的全球方向和监督。他于2000年加入HSBC Bank Bermuda Limited公司,担任首席行政官。加入HSBC Bank Bermuda Limited公司之前,他曾担任Citibank公司(他于1972年加入该公司)的多种高级职务,涉及私人银行、企业银行、运营技术、人力资源。他也是the Bermuda Hospitals Charitable Trust的主席、Bermuda First公司的指导委员会的成员、Bermuda Health Foundation的总裁、the Victor Scott School Alumni Association的主席,以及the Bank of Bermuda Foundation、Johns Hopkins Medicine、the American Classical Orchestra的董事会成员。
Philip M. Butterfield has been a director since November 2014 and currently serves as a member of the Audit Committee and the Nominating and Corporate Governance Committee of the Board. Mr. Butterfield was Chairman of the Board of HSBC Bank Bermuda Limited from May 2012 to December 2015 and was Chief Executive Officer of HSBC Bank Bermuda Limited from February 2004 until May 2012. Prior to this, Mr. Butterfield held the position of Chief Operating Officer with responsibility for the direction and oversight globally of HSBC Bank Bermuda Limited’s Operations, Systems, Human Resources, Audit, Compliance, Legal and Programme Management Office. Mr. Butterfield joined HSBC Bank Bermuda Limited in 2000 as Chief Administration Officer. Before joining HSBC Bank Bermuda Limited, Mr. Butterfield held a number of senior positions in Private Banking, Corporate Banking, Operations and Technology, and Human Resources with Citibank, which he joined in 1972. Mr. Butterfield is also Chairman of the Bermuda Hospitals Charitable Trust, a member of the Steering Committee for Bermuda First, President of Bermuda Health Foundation, Chairman of the Victor Scott School Alumni Association and a board member of the Bank of Bermuda Foundation, Johns Hopkins Medicine and the American Classical Orchestra.
John T. Baily

John T. Baily自2010年起担任董事会成员,同时自2017年起担任GBDC 3号、GDLC号自2020年起担任董事会成员、GDLCU和GBDC 4号自2021年起担任董事会成员。Baily先生在2014年至2019年期间担任GCIC董事会成员。Baily先生是RLI Corp.(纽约证券交易所)和Sompo国际集团的美国控股公司Endurance U.S. Holding Corp.的董事会成员,并自2017年起担任Endurance U.S. Holding Corp.的审计委员会主席。Baily先生于2003年至2008年担任Erie Indemnity Company(纳斯达克)的董事会成员,于2003年至2010年担任NYMagic,Inc.(纽约证券交易所)的董事会成员,并于2003年至2017年10月担任Endurance Specialty Holdings,Ltd.的董事会成员。1999年至2002年,Baily先生担任瑞士再保险资本合伙公司总裁。在加入瑞士再保险资本合伙公司之前,Baily先生是普华永道会计师事务所及其前身Coopers & Lybrand的合伙人,他从1965年到1999年一直在该公司工作。从1986年到1998年,Baily先生一直担任Coopers & Lybrand的国家保险业主席,从1984年到1998年,一直担任Coopers & Lybrand的国际保险业委员会成员。Baily先生1965年以优异成绩毕业于奥尔布赖特学院,1968年以优异成绩获得注册会计师,1979年获得芝加哥大学工商管理硕士学位。


John T. Baily,has been a member of the board of directors of GBDC since 2010, GDLC since 2020, GDLCU and GBDC 4 since 2021, and the board of trustees of GCRED since 2023. Mr. Baily was a member of the board of directors of GCIC from 2014 to 2019 and GBDC 3 from 2017 to 2024. Mr. Baily serves as the Audit Committee Chairman of Endurance U.S. Holding Corp., the U.S. holding company for the Sompo International Group, since 2017. Mr. Baily previously served on the board of directors of RLI Corp. (NYSE) from 2003 to 2023, of Erie Indemnity Company (Nasdaq) from 2003 to 2008, of NYMagic, Inc. (NYSE) from 2003 to 2010 and of Endurance Specialty Holdings, Ltd. from 2003 to October 2017. From 1999 until 2002, Mr. Baily was the President of Swiss Re Capital Partners. Prior to joining Swiss Re Capital Partners, Mr. Baily was a partner at PricewaterhouseCoopers LLP and its predecessor, Coopers & Lybrand, where he worked from 1965 until 1999. Mr. Baily was the National Insurance Industry Chairman of Coopers & Lybrand from 1986 until 1998 and a member of Coopers & Lybrand's International Insurance Industry Committee from 1984 until 1998. Mr. Baily graduated cum laude from Albright College in 1965, received his CPA with honors in 1968 and received his MBA from the University of Chicago in 1979.
John T. Baily自2010年起担任董事会成员,同时自2017年起担任GBDC 3号、GDLC号自2020年起担任董事会成员、GDLCU和GBDC 4号自2021年起担任董事会成员。Baily先生在2014年至2019年期间担任GCIC董事会成员。Baily先生是RLI Corp.(纽约证券交易所)和Sompo国际集团的美国控股公司Endurance U.S. Holding Corp.的董事会成员,并自2017年起担任Endurance U.S. Holding Corp.的审计委员会主席。Baily先生于2003年至2008年担任Erie Indemnity Company(纳斯达克)的董事会成员,于2003年至2010年担任NYMagic,Inc.(纽约证券交易所)的董事会成员,并于2003年至2017年10月担任Endurance Specialty Holdings,Ltd.的董事会成员。1999年至2002年,Baily先生担任瑞士再保险资本合伙公司总裁。在加入瑞士再保险资本合伙公司之前,Baily先生是普华永道会计师事务所及其前身Coopers & Lybrand的合伙人,他从1965年到1999年一直在该公司工作。从1986年到1998年,Baily先生一直担任Coopers & Lybrand的国家保险业主席,从1984年到1998年,一直担任Coopers & Lybrand的国际保险业委员会成员。Baily先生1965年以优异成绩毕业于奥尔布赖特学院,1968年以优异成绩获得注册会计师,1979年获得芝加哥大学工商管理硕士学位。
John T. Baily,has been a member of the board of directors of GBDC since 2010, GDLC since 2020, GDLCU and GBDC 4 since 2021, and the board of trustees of GCRED since 2023. Mr. Baily was a member of the board of directors of GCIC from 2014 to 2019 and GBDC 3 from 2017 to 2024. Mr. Baily serves as the Audit Committee Chairman of Endurance U.S. Holding Corp., the U.S. holding company for the Sompo International Group, since 2017. Mr. Baily previously served on the board of directors of RLI Corp. (NYSE) from 2003 to 2023, of Erie Indemnity Company (Nasdaq) from 2003 to 2008, of NYMagic, Inc. (NYSE) from 2003 to 2010 and of Endurance Specialty Holdings, Ltd. from 2003 to October 2017. From 1999 until 2002, Mr. Baily was the President of Swiss Re Capital Partners. Prior to joining Swiss Re Capital Partners, Mr. Baily was a partner at PricewaterhouseCoopers LLP and its predecessor, Coopers & Lybrand, where he worked from 1965 until 1999. Mr. Baily was the National Insurance Industry Chairman of Coopers & Lybrand from 1986 until 1998 and a member of Coopers & Lybrand's International Insurance Industry Committee from 1984 until 1998. Mr. Baily graduated cum laude from Albright College in 1965, received his CPA with honors in 1968 and received his MBA from the University of Chicago in 1979.
William H. Bolinder

William H. Bolinder自2001年12月起一直担任公司的董事;2006年11月至2011年3月是公司的首席独立董事,2013年5月恢复此职务。2011年3月至2013年5月,Bolinder先生担任本公司董事长,目前担任审计提名委员会及董事会公司治理委员会的成员。 2006年6月,Bolinder先生从 Acadia Trust N.A。(一家金融服务公司)的总裁,首席执行官和董事等职务退休,自2003年以来,他一直担任此职务。他以前一直是Zurich Financial Services Group管理委员会的成员。1994年至2002年,他是北美业务部门(不包括美国个人保险业务)的主管。1996年至2002年,是拉丁美洲业务部门的主管。1998至2002年,是Zurich Financial Services Group企业及商业客户部的主管。1994年,他在Zurich Financial Services Group的家庭办公室当选为集团执行委员会,并负责管理Zurich Financial Services Group在美国和加拿大的公司,以及Zurich International(集团)和风险工程的公司/工伤保险。 1986年,Bolinder先生加入Zurich American Insurance Company,担任首席运营官;1987年担任首席执行官。自2010年10月起,Bolinder先生一直担任Genworth Financial, Inc.的董事。2007年1月至2008年10月,Bolinder先生是Quanta Capital Holdings Ltd.的董事。2008年3月至2009年4月,Bolinder先先是Coral Insurance Company的董事。Coral是佛罗里达州一家住所财产保险有限公司。2009年4月9日,Coral 以破产为目的复原。金融服务的佛罗里达部门被任命为Coral的接收人。 Bolinder先生还任职于美国保险协会董事会和委员会,特许财产险承保的美国学院,应用伦理学的保险学院,美国保险协会,保险服务办公室公司和独立保险业协会。


William H. Bolinder retired in June 2006 from serving as President, Chief Executive Officer and a director of Acadia Trust N.A., positions he had held since 2003. He had previously been a member of the Group Management Board for Zurich Financial Services Group from 1994 to 2002. Mr. Bolinder joined Zurich American Insurance Company, USA in 1986 as Chief Operating Officer and became Chief Executive Officer in 1987. Mr. Bolinder also previously served on the boards of directors of Endurance Specialty Holdings Ltd. "Endurance" from December 2001 to March 2017 (Endurance was acquired in 2017) and Quanta Capital Holding Ltd. from January 2007 to October 2008. Mr. Bolinder has also served on the board of the American Insurance Association, American Institute for Chartered Property Casualty Underwriting, Insurance Institute for Applied Ethics, Insurance Institute of America, Insurance Services Office, Inc. and the National Association of Independent Insurers. Mr. Bolinder received a B.S. in Business Administration from the University of Massachusetts, Dartmouth.
William H. Bolinder自2001年12月起一直担任公司的董事;2006年11月至2011年3月是公司的首席独立董事,2013年5月恢复此职务。2011年3月至2013年5月,Bolinder先生担任本公司董事长,目前担任审计提名委员会及董事会公司治理委员会的成员。 2006年6月,Bolinder先生从 Acadia Trust N.A。(一家金融服务公司)的总裁,首席执行官和董事等职务退休,自2003年以来,他一直担任此职务。他以前一直是Zurich Financial Services Group管理委员会的成员。1994年至2002年,他是北美业务部门(不包括美国个人保险业务)的主管。1996年至2002年,是拉丁美洲业务部门的主管。1998至2002年,是Zurich Financial Services Group企业及商业客户部的主管。1994年,他在Zurich Financial Services Group的家庭办公室当选为集团执行委员会,并负责管理Zurich Financial Services Group在美国和加拿大的公司,以及Zurich International(集团)和风险工程的公司/工伤保险。 1986年,Bolinder先生加入Zurich American Insurance Company,担任首席运营官;1987年担任首席执行官。自2010年10月起,Bolinder先生一直担任Genworth Financial, Inc.的董事。2007年1月至2008年10月,Bolinder先生是Quanta Capital Holdings Ltd.的董事。2008年3月至2009年4月,Bolinder先先是Coral Insurance Company的董事。Coral是佛罗里达州一家住所财产保险有限公司。2009年4月9日,Coral 以破产为目的复原。金融服务的佛罗里达部门被任命为Coral的接收人。 Bolinder先生还任职于美国保险协会董事会和委员会,特许财产险承保的美国学院,应用伦理学的保险学院,美国保险协会,保险服务办公室公司和独立保险业协会。
William H. Bolinder retired in June 2006 from serving as President, Chief Executive Officer and a director of Acadia Trust N.A., positions he had held since 2003. He had previously been a member of the Group Management Board for Zurich Financial Services Group from 1994 to 2002. Mr. Bolinder joined Zurich American Insurance Company, USA in 1986 as Chief Operating Officer and became Chief Executive Officer in 1987. Mr. Bolinder also previously served on the boards of directors of Endurance Specialty Holdings Ltd. "Endurance" from December 2001 to March 2017 (Endurance was acquired in 2017) and Quanta Capital Holding Ltd. from January 2007 to October 2008. Mr. Bolinder has also served on the board of the American Insurance Association, American Institute for Chartered Property Casualty Underwriting, Insurance Institute for Applied Ethics, Insurance Institute of America, Insurance Services Office, Inc. and the National Association of Independent Insurers. Mr. Bolinder received a B.S. in Business Administration from the University of Massachusetts, Dartmouth.
Scott D. Moore

Scott D. Moore,自2011年5月,他一直是公司董事,目前作为风险委员会主席和审计委员会的成员。 从1998年到2009年,他担任PartnerRe美国的首席执行官,一家再保险公司。在此之前,从1993年到1998年,他担任PartnerRe有限公司的执行副总裁兼首席财务官。他花了13年担任Coopers & Lybrand会计师事务所的合伙人,专门从事保险行业。


Scott D. Moore has been a director of the Company since July 2015 and currently serves as a member of the Nominating and Corporate Governance Committee and the Risk Committee of the Board. Mr. Marsh is a Member of the Board of Directors of HCC International Insurance Company PLC, holding the position of Non-Executive Chairman of HCC International and HCC Underwriting Agency Ltd. Prior to joining the Board of HCC in April 2014 Mr. Marsh was employed as Director of Corporate Underwriting and Director of Underwriting Review at Atrium Underwriting Group Limited from 2007 until his retirement in December 2013. During his forty-year career with Atrium, Mr. Marsh also served as the Active Underwriter of Syndicate 570 at Lloyd's from 1989 to 2005 and prior to that as an Underwriter of Syndicate 570 from 1973 to 1989 as Chairman of Atrium Underwriters Limited from 2005 to 2007 and Chief Executive Officer of Atrium Underwriting Plc from 2000 to 2005. Mr. Marsh served as a director of Montpelier from 2014 to 2015. Mr. Marsh has served as a trustee of the Lloyd's Benevolent Fund since 2007 and from 2008 to 2013 he served as a member of the Council of Lloyd's.
Scott D. Moore,自2011年5月,他一直是公司董事,目前作为风险委员会主席和审计委员会的成员。 从1998年到2009年,他担任PartnerRe美国的首席执行官,一家再保险公司。在此之前,从1993年到1998年,他担任PartnerRe有限公司的执行副总裁兼首席财务官。他花了13年担任Coopers & Lybrand会计师事务所的合伙人,专门从事保险行业。
Scott D. Moore has been a director of the Company since July 2015 and currently serves as a member of the Nominating and Corporate Governance Committee and the Risk Committee of the Board. Mr. Marsh is a Member of the Board of Directors of HCC International Insurance Company PLC, holding the position of Non-Executive Chairman of HCC International and HCC Underwriting Agency Ltd. Prior to joining the Board of HCC in April 2014 Mr. Marsh was employed as Director of Corporate Underwriting and Director of Underwriting Review at Atrium Underwriting Group Limited from 2007 until his retirement in December 2013. During his forty-year career with Atrium, Mr. Marsh also served as the Active Underwriter of Syndicate 570 at Lloyd's from 1989 to 2005 and prior to that as an Underwriter of Syndicate 570 from 1973 to 1989 as Chairman of Atrium Underwriters Limited from 2005 to 2007 and Chief Executive Officer of Atrium Underwriting Plc from 2000 to 2005. Mr. Marsh served as a director of Montpelier from 2014 to 2015. Mr. Marsh has served as a trustee of the Lloyd's Benevolent Fund since 2007 and from 2008 to 2013 he served as a member of the Council of Lloyd's.
Robert A. Spass

Robert A. Spass曾于1984年至1990年任所罗门兄弟投资银行业务总监,1978年至1984年任泥炭马威克美因公司高级经理。Robert A. Spass ,2002年7月以来,他一直担任董事。目前他担任薪酬委员会和财务委员会的成员。他是Capital Z合作伙伴的合伙人,一家投资公司他于1998年加入作为创始合伙人。1998年之前,他是Insurance Partners Advisors的管理合伙人兼联合创始人,他也是nternational Insurance Advisors公司的总裁兼首席执行官、International Insurance Investors公司的管理者。加入International Insurance Investors之前,他是所Salomon Brothers 投资银行业务主管,负责公司金融与保险业的关系。他目前是美国通用公司、Lancashire控股有限公司和MountainView资本股份有限公司的董事会成员。


Robert A. Spass has been a director since July 2002 and currently serves as a member of the Compensation Committee and the Finance Committee of the Board. Mr. Spass is a Partner of Capital Z Partners, an investment firm he joined as a founding partner in 1998. Prior to 1998 Mr. Spass was the Managing Partner and co-founder of Insurance Partners Advisors, L.P. Mr. Spass was also President and CEO of International Insurance Advisors, Inc., the management company of International Insurance Investors, L.P. Prior to joining International Insurance Investors, Mr. Spass was a Director of Investment Banking at Salomon Brothers with responsibility for corporate finance relationships with the insurance industry. He currently serves on the board of directors of Five Hole, LLC, Universal American Corp., Minova Insurance Holdings Ltd. and MountainView Capital Holdings, LLC. He also served as a director of Lancashire Holdings Limited from November 2005 to December 2014.Mr. Spass was a Director of Investment Banking at Salomon Brothers from 1984 to 1990 and a Senior Manager for Peat Marwick Main & Co. from 1978 to 1984.
Robert A. Spass曾于1984年至1990年任所罗门兄弟投资银行业务总监,1978年至1984年任泥炭马威克美因公司高级经理。Robert A. Spass ,2002年7月以来,他一直担任董事。目前他担任薪酬委员会和财务委员会的成员。他是Capital Z合作伙伴的合伙人,一家投资公司他于1998年加入作为创始合伙人。1998年之前,他是Insurance Partners Advisors的管理合伙人兼联合创始人,他也是nternational Insurance Advisors公司的总裁兼首席执行官、International Insurance Investors公司的管理者。加入International Insurance Investors之前,他是所Salomon Brothers 投资银行业务主管,负责公司金融与保险业的关系。他目前是美国通用公司、Lancashire控股有限公司和MountainView资本股份有限公司的董事会成员。
Robert A. Spass has been a director since July 2002 and currently serves as a member of the Compensation Committee and the Finance Committee of the Board. Mr. Spass is a Partner of Capital Z Partners, an investment firm he joined as a founding partner in 1998. Prior to 1998 Mr. Spass was the Managing Partner and co-founder of Insurance Partners Advisors, L.P. Mr. Spass was also President and CEO of International Insurance Advisors, Inc., the management company of International Insurance Investors, L.P. Prior to joining International Insurance Investors, Mr. Spass was a Director of Investment Banking at Salomon Brothers with responsibility for corporate finance relationships with the insurance industry. He currently serves on the board of directors of Five Hole, LLC, Universal American Corp., Minova Insurance Holdings Ltd. and MountainView Capital Holdings, LLC. He also served as a director of Lancashire Holdings Limited from November 2005 to December 2014.Mr. Spass was a Director of Investment Banking at Salomon Brothers from 1984 to 1990 and a Senior Manager for Peat Marwick Main & Co. from 1978 to 1984.
Steven W. Carlsen

Steven W. Carlsen,自2006年2月他担任本公司的董事,目前他担任财务委员会和风险管理委员会的成员。他是Shadowbrook Advising公司的总裁,一家提供咨询和分析服务的保险和再保险公司工作,也为投资于这些领域的私人股本和对冲基金组织工作。在2006年他从耐力退休并且重新开始他的咨询业务之前,他是耐力公司的创始成员之一,在2001年,他帮助提升创办资本,他曾在不同时期担任公司的首席运营官,首席保险官和美国再保险的子公司的总裁。2012年5月开始公司约定Shadowbrook和Carlsen博士在有限的基础上为耐力提供承销和运营咨询服务。他于1979年开始他的职业生涯作为一个财产授权保险人,后来成为瑞士再保险公司的协定客户经理。他于1986年加入 NAC Re,最后领导他们的财产和杂项条约部门(其中包括航空、海洋、担保和有限的业务)。他管理NAC Re的转分保和参与他们的英国公司的建立。在1994年,他离开NAC Re加入CAT有限公司担任他们的北美首席承保人。1997年,他担任CAT有限公司的保险公司企业再保险(Enterprise Re。)的联合创始人。从1999年开始直到他于2001年加入该公司,他担任其他公司的顾问,主要有摩根士丹利(Morgan Stanley)私人股本保险企业和Plymouth Rock集团。他获得了康奈尔大学的数学学士学位,2013年5月,他获得了福特汉姆大学艺术与科学研究生院的经济学博士学位。


Steven W. Carlsen has been a director of the Company since February 2006 and currently serves as a member of the Finance Committee and the Risk Committee of the Board. Dr. Carlsen is President of Shadowbrook Advising Inc. “Shadowbrook”, a consulting firm providing advisory and analytical services to insurance and reinsurance companies as well as to private equity and hedge fund groups investing in these areas. Prior to retiring from Endurance and reactivating his consulting practice in 2006 Dr. Carlsen was a founding member of Endurance, helping to raise the initial capital in 2001. He served at various times as the Company’s Chief Operating Officer, Chief Underwriting Officer and as President of its U.S. reinsurance subsidiary. Beginning in May 2012 the Company engaged Shadowbrook and Dr. Carlsen to provide Endurance with underwriting and operating consulting services on a limited basis. Dr. Carlsen began his career as a property facultative underwriter in 1979 and later as a treaty account executive for Swiss Reinsurance Company. He joined NAC Re in 1986 ultimately heading their Property and Miscellaneous Treaty Department (which included aviation, marine, surety and finite business). He managed NAC Re’s retrocessions and was involved in the formation of their U.K. company. In 1994 Dr. Carlsen left NAC Re to join CAT Limited as their Chief Underwriter-North America and in 1997 was co-founder of CAT Limited’s finite insurer, Enterprise Re. From 1999 until he joined the Company in 2001 Dr. Carlsen worked as a consultant, principally with three Morgan Stanley Private Equity insurance ventures and the Plymouth Rock Group. Dr. Carlsen holds a B.A. in Mathematics from Cornell University and received his PhD in Economics from Fordham University’s Graduate School of Arts and Sciences in May 2013.
Steven W. Carlsen,自2006年2月他担任本公司的董事,目前他担任财务委员会和风险管理委员会的成员。他是Shadowbrook Advising公司的总裁,一家提供咨询和分析服务的保险和再保险公司工作,也为投资于这些领域的私人股本和对冲基金组织工作。在2006年他从耐力退休并且重新开始他的咨询业务之前,他是耐力公司的创始成员之一,在2001年,他帮助提升创办资本,他曾在不同时期担任公司的首席运营官,首席保险官和美国再保险的子公司的总裁。2012年5月开始公司约定Shadowbrook和Carlsen博士在有限的基础上为耐力提供承销和运营咨询服务。他于1979年开始他的职业生涯作为一个财产授权保险人,后来成为瑞士再保险公司的协定客户经理。他于1986年加入 NAC Re,最后领导他们的财产和杂项条约部门(其中包括航空、海洋、担保和有限的业务)。他管理NAC Re的转分保和参与他们的英国公司的建立。在1994年,他离开NAC Re加入CAT有限公司担任他们的北美首席承保人。1997年,他担任CAT有限公司的保险公司企业再保险(Enterprise Re。)的联合创始人。从1999年开始直到他于2001年加入该公司,他担任其他公司的顾问,主要有摩根士丹利(Morgan Stanley)私人股本保险企业和Plymouth Rock集团。他获得了康奈尔大学的数学学士学位,2013年5月,他获得了福特汉姆大学艺术与科学研究生院的经济学博士学位。
Steven W. Carlsen has been a director of the Company since February 2006 and currently serves as a member of the Finance Committee and the Risk Committee of the Board. Dr. Carlsen is President of Shadowbrook Advising Inc. “Shadowbrook”, a consulting firm providing advisory and analytical services to insurance and reinsurance companies as well as to private equity and hedge fund groups investing in these areas. Prior to retiring from Endurance and reactivating his consulting practice in 2006 Dr. Carlsen was a founding member of Endurance, helping to raise the initial capital in 2001. He served at various times as the Company’s Chief Operating Officer, Chief Underwriting Officer and as President of its U.S. reinsurance subsidiary. Beginning in May 2012 the Company engaged Shadowbrook and Dr. Carlsen to provide Endurance with underwriting and operating consulting services on a limited basis. Dr. Carlsen began his career as a property facultative underwriter in 1979 and later as a treaty account executive for Swiss Reinsurance Company. He joined NAC Re in 1986 ultimately heading their Property and Miscellaneous Treaty Department (which included aviation, marine, surety and finite business). He managed NAC Re’s retrocessions and was involved in the formation of their U.K. company. In 1994 Dr. Carlsen left NAC Re to join CAT Limited as their Chief Underwriter-North America and in 1997 was co-founder of CAT Limited’s finite insurer, Enterprise Re. From 1999 until he joined the Company in 2001 Dr. Carlsen worked as a consultant, principally with three Morgan Stanley Private Equity insurance ventures and the Plymouth Rock Group. Dr. Carlsen holds a B.A. in Mathematics from Cornell University and received his PhD in Economics from Fordham University’s Graduate School of Arts and Sciences in May 2013.
William J. Raver

William J. Raver从2006年5月以来担任董事一职,目前为财务委员会主席及董事会审计委员会成员。从2006年7月至2008年3月在全国铁路退休投资信托“ NRRIT ”里,担任首席执行官和首席投资官,在那里他带领一个有20名工作人员的队伍,负责监督联邦法律于2001年设立的信托基金投资活动,以管理美国铁路行业的某些界定福利退休资产,总额达30十亿。从1997年直到他于2006年加入NRRIT,他在 Verizon Investment Management公司工作,最近担任首席营运官。在这个岗位上,他负责650亿美元的Verizon公司的退休金和储蓄计划资产投资的责任,并负责信托基金的财务报告和管理信托职能人员。从1994年至1997年,他担任评估协会研究所(Research at Evaluation Associates)的高级副总裁兼任首席行政官和董事,一家投资咨询公司。他早期的职业生涯,包括在Young & Rubicam,Cadbury Schweppes, Stauffer Chemical 和雅芳产品等担任财务高级职位。他目前任职于多个投资顾问委员会,是美国企业董事联合会(National Association of Corporate Directors)公认的管理人。


William J. Raver has been a director of the Company since May 2011 and currently serves as Chairman of the Risk Committee and as a member of the Audit Committee of the Board. Mr. Moore was the Chief Executive Officer of PartnerRe U.S., a reinsurance company, from 1998 to 2009. Prior to that, Mr. Moore served as the Executive Vice President and Chief Financial Officer of PartnerRe Ltd. from 1993 to 1998. Mr. Moore was employed for 13 years three years as a Partner with Coopers & Lybrand LLP, specializing in the insurance industry.
William J. Raver从2006年5月以来担任董事一职,目前为财务委员会主席及董事会审计委员会成员。从2006年7月至2008年3月在全国铁路退休投资信托“ NRRIT ”里,担任首席执行官和首席投资官,在那里他带领一个有20名工作人员的队伍,负责监督联邦法律于2001年设立的信托基金投资活动,以管理美国铁路行业的某些界定福利退休资产,总额达30十亿。从1997年直到他于2006年加入NRRIT,他在 Verizon Investment Management公司工作,最近担任首席营运官。在这个岗位上,他负责650亿美元的Verizon公司的退休金和储蓄计划资产投资的责任,并负责信托基金的财务报告和管理信托职能人员。从1994年至1997年,他担任评估协会研究所(Research at Evaluation Associates)的高级副总裁兼任首席行政官和董事,一家投资咨询公司。他早期的职业生涯,包括在Young & Rubicam,Cadbury Schweppes, Stauffer Chemical 和雅芳产品等担任财务高级职位。他目前任职于多个投资顾问委员会,是美国企业董事联合会(National Association of Corporate Directors)公认的管理人。
William J. Raver has been a director of the Company since May 2011 and currently serves as Chairman of the Risk Committee and as a member of the Audit Committee of the Board. Mr. Moore was the Chief Executive Officer of PartnerRe U.S., a reinsurance company, from 1998 to 2009. Prior to that, Mr. Moore served as the Executive Vice President and Chief Financial Officer of PartnerRe Ltd. from 1993 to 1998. Mr. Moore was employed for 13 years three years as a Partner with Coopers & Lybrand LLP, specializing in the insurance industry.
Norman Barham

Norman Barham,从2004年8月,他一直担任董事,目前他担任薪酬委员会主席以及公司治理委员会提名董事会的成员。从1997年到2000年,他还被任命为Marsh公司的全球运营部门的副董事长和总裁,最大的多元化的保险经纪和风险管理服务公司,加入Marsh公司之前,从1975年到1997年,他担任了Johnson & Higgins公司的许多高级管理岗位,在Johnson & Higgins和Marsh & McLennan公司合并之前,他担任包括总裁、首席技术官和全球财产保险负责人。他目前是皇后学院(Queens College)和Frenchman‘s Creek的董事会成员。从2004年到2009年4月,他是Coral保险公司的董事会主席,Coral公司是一个佛罗里达注册的财产伤亡保险公司。2009年4月9日,Coral公司为了康复已经被放置在破产在管。佛罗里达的纽约金融服务管理局被任命为Coral的接管者。


Norman Barham has been a director since August 2004 and currently serves as Chairman of the Compensation Committee and a member of the Nominating and Corporate Governance Committee of the Board. Mr. Barham was Vice Chairman and President of Global Operations of Marsh, Inc., the largest diversified insurance brokerage and risk management services company in the world, from 1997 to 2000. Prior to joining Marsh, Inc., Mr. Barham held numerous senior management roles in various parts of Johnson & Higgins from 1975 to 1997 prior to the merger of Johnson & Higgins and Marsh & McLennan Companies, including President, Chief Technical Officer and Head of Global Property Insurance. Mr. Barham currently serves on the NYC Outward Bound Advisory Board. Mr. Barham was chairman of the board of directors of Coral Insurance Company “Coral”, a Florida domiciled property casualty insurance company, from 2004 until April 2009. On April 9 2009 Coral was placed into receivership for purposes of rehabilitation. The Florida Department of Financial Services was appointed receiver of Coral.
Norman Barham,从2004年8月,他一直担任董事,目前他担任薪酬委员会主席以及公司治理委员会提名董事会的成员。从1997年到2000年,他还被任命为Marsh公司的全球运营部门的副董事长和总裁,最大的多元化的保险经纪和风险管理服务公司,加入Marsh公司之前,从1975年到1997年,他担任了Johnson & Higgins公司的许多高级管理岗位,在Johnson & Higgins和Marsh & McLennan公司合并之前,他担任包括总裁、首席技术官和全球财产保险负责人。他目前是皇后学院(Queens College)和Frenchman‘s Creek的董事会成员。从2004年到2009年4月,他是Coral保险公司的董事会主席,Coral公司是一个佛罗里达注册的财产伤亡保险公司。2009年4月9日,Coral公司为了康复已经被放置在破产在管。佛罗里达的纽约金融服务管理局被任命为Coral的接管者。
Norman Barham has been a director since August 2004 and currently serves as Chairman of the Compensation Committee and a member of the Nominating and Corporate Governance Committee of the Board. Mr. Barham was Vice Chairman and President of Global Operations of Marsh, Inc., the largest diversified insurance brokerage and risk management services company in the world, from 1997 to 2000. Prior to joining Marsh, Inc., Mr. Barham held numerous senior management roles in various parts of Johnson & Higgins from 1975 to 1997 prior to the merger of Johnson & Higgins and Marsh & McLennan Companies, including President, Chief Technical Officer and Head of Global Property Insurance. Mr. Barham currently serves on the NYC Outward Bound Advisory Board. Mr. Barham was chairman of the board of directors of Coral Insurance Company “Coral”, a Florida domiciled property casualty insurance company, from 2004 until April 2009. On April 9 2009 Coral was placed into receivership for purposes of rehabilitation. The Florida Department of Financial Services was appointed receiver of Coral.
Galen R. Barnes

Galen R. Barnes,2004年5月以来一直是董事,目前是薪酬委员会和风险委员会董事会的一个成员。从1975年到2003年,Barnes先生是Nationwide Mutual Insurance前总裁兼首席运营官。Barnes先生在Nationwide组织的各个部门担任了大量的高级和综合管理岗位,此前一直是Nationwide Property and Casualty Affiliates的总裁和Wausau Insurance的总裁兼首席运营。Barnes先生也曾在保险服务局( Insurance Services Office), 美国保险公司联盟(the Alliance of American Insurers),国家赔偿保险委员会(National Council on Compensation Insurance)的董事会或委员会工作。并且是财产保险首席执行官圆桌会议(Property and Casualty CEO Roundtable)的成员。1977年,他收到了财险精算协会(Casualty Actuarial Society)的奖学金。他担任犹他州盐湖城一个独立Comenity Capital Bank的董事会成员,并且担任俄亥俄州立大学自愿保险委员会(Self Insurance Board of The Ohio State University)自愿董事和佛罗里达州那不勒斯Grey Oaks Country Club的自愿董事。


Galen R. Barnes has been a director since May 2004 and currently serves as a member of the Compensation Committee and the Risk Committee of the Board. Mr. Barnes was formerly President and Chief Operating Officer of Nationwide Mutual Insurance, where he worked from 1975 to 2003. Mr. Barnes held numerous senior and general management roles in various parts of the Nationwide organization, having previously been President of Nationwide Property and Casualty Affiliates, and President and Chief Operating Officer of Wausau Insurance. Mr. Barnes has also served on the board or committees for the Insurance Services Office, Inc., the Alliance of American Insurers, National Council on Compensation Insurance and as a member of the Property and Casualty CEO Roundtable. Mr. Barnes received his Fellowship in the Casualty Actuarial Society in 1977. He serves as a board member of unaffiliated Comenity Capital Bank of Salt Lake City, Utah, as a voluntary director of the Self Insurance Board of The Ohio State University and a voluntary director of the Grey Oaks Country Club in Naples, Florida.
Galen R. Barnes,2004年5月以来一直是董事,目前是薪酬委员会和风险委员会董事会的一个成员。从1975年到2003年,Barnes先生是Nationwide Mutual Insurance前总裁兼首席运营官。Barnes先生在Nationwide组织的各个部门担任了大量的高级和综合管理岗位,此前一直是Nationwide Property and Casualty Affiliates的总裁和Wausau Insurance的总裁兼首席运营。Barnes先生也曾在保险服务局( Insurance Services Office), 美国保险公司联盟(the Alliance of American Insurers),国家赔偿保险委员会(National Council on Compensation Insurance)的董事会或委员会工作。并且是财产保险首席执行官圆桌会议(Property and Casualty CEO Roundtable)的成员。1977年,他收到了财险精算协会(Casualty Actuarial Society)的奖学金。他担任犹他州盐湖城一个独立Comenity Capital Bank的董事会成员,并且担任俄亥俄州立大学自愿保险委员会(Self Insurance Board of The Ohio State University)自愿董事和佛罗里达州那不勒斯Grey Oaks Country Club的自愿董事。
Galen R. Barnes has been a director since May 2004 and currently serves as a member of the Compensation Committee and the Risk Committee of the Board. Mr. Barnes was formerly President and Chief Operating Officer of Nationwide Mutual Insurance, where he worked from 1975 to 2003. Mr. Barnes held numerous senior and general management roles in various parts of the Nationwide organization, having previously been President of Nationwide Property and Casualty Affiliates, and President and Chief Operating Officer of Wausau Insurance. Mr. Barnes has also served on the board or committees for the Insurance Services Office, Inc., the Alliance of American Insurers, National Council on Compensation Insurance and as a member of the Property and Casualty CEO Roundtable. Mr. Barnes received his Fellowship in the Casualty Actuarial Society in 1977. He serves as a board member of unaffiliated Comenity Capital Bank of Salt Lake City, Utah, as a voluntary director of the Self Insurance Board of The Ohio State University and a voluntary director of the Grey Oaks Country Club in Naples, Florida.
Morgan W. Davis

Morgan W. Davis,自2006年10月以来是该公司的一位董事。1999年10月-2008年期间,曾在原为White Mountains的独资子公司- American Centennial Insurance Company担任总裁和董事。他原先在2001-2005年期间,是OneBeacon Insurance Group有限责任公司的一位总经理。1994-2001年期间,曾在White Mountains担任各种职位。在1994年之前,Davis先生曾在Fireman’s Fund保险公司工作了7年,在INA/Cigna工作了10年。他还是White Mountains的一位董事、副董事长以及薪酬委员会主席;以及是Comparenow.com(原为Inspop USA有限责任公司)、Valen Technology和Montpelier Re Holdings有限公司的一位董事,是该公司薪酬委员会和提名委员会主席。


Morgan W. Davis has been a director of the Company since 2006. He formerly was a Managing Director at OneBeacon Insurance Group LLC from 2001 to 2005 and served in a variety of capacities for subsidiaries of White Mountains from 1994 to 2001. Prior to 1994 Mr. Davis had 21 years of experience in the insurance business, mostly at Fireman’s Fund Insurance Company and INA/Cigna. Mr. Davis also serves as a director and Non-Executive Chairman of the Board of White Mountains. Mr. Davis also serves as a director of Compare.com formerly Inspop USA LLC and QuoteLab, LLC.
Morgan W. Davis,自2006年10月以来是该公司的一位董事。1999年10月-2008年期间,曾在原为White Mountains的独资子公司- American Centennial Insurance Company担任总裁和董事。他原先在2001-2005年期间,是OneBeacon Insurance Group有限责任公司的一位总经理。1994-2001年期间,曾在White Mountains担任各种职位。在1994年之前,Davis先生曾在Fireman’s Fund保险公司工作了7年,在INA/Cigna工作了10年。他还是White Mountains的一位董事、副董事长以及薪酬委员会主席;以及是Comparenow.com(原为Inspop USA有限责任公司)、Valen Technology和Montpelier Re Holdings有限公司的一位董事,是该公司薪酬委员会和提名委员会主席。
Morgan W. Davis has been a director of the Company since 2006. He formerly was a Managing Director at OneBeacon Insurance Group LLC from 2001 to 2005 and served in a variety of capacities for subsidiaries of White Mountains from 1994 to 2001. Prior to 1994 Mr. Davis had 21 years of experience in the insurance business, mostly at Fireman’s Fund Insurance Company and INA/Cigna. Mr. Davis also serves as a director and Non-Executive Chairman of the Board of White Mountains. Mr. Davis also serves as a director of Compare.com formerly Inspop USA LLC and QuoteLab, LLC.
Ian M. Winchester

Ian M. Winchester,目前是一个专注于为Lloyd的理事会提供资本的基金-BHC Winton Funds, L.P。投资基金的一位经营合伙人和投资委员会主席。以及是一家于1989年创立的私营专家投资银行业务和基金管理公司- Brooks, Houghton公司的总经理。1985-2006年期间,他曾在Toplis 和 Harding股份有限公司的母公司- T&H Holdings股份有限公司工作,该公司是北美(North America)从事索赔调整工作最久的独立保险外包服务公司之一,他在该公司担任董事长、总裁和首席执行官,并继续担任非执行董事。1970-1985年期间,他曾在Lloyd’s的一个专业人员再保险经纪商、Marsh & McLennan股份有限公司的一个子公司-Winchester Bowring有限公司担任总经理;1964-1970年期间,曾在Alexander Howden有限公司(现为Aon公司的一部分)工作,1968-1970年期间担任副经理。自1978年以来,Winchester先生是Lloyd’s的一位承销成员。


Ian M. Winchester has been a director of the Company since July 2015 and currently serves as a member of the Audit Committee and the Risk Committee of the Board. Mr. Winchester is currently a Managing Partner and Chairman of the Investment Committee of BHC Winton Funds, L.P., an investment fund which focuses on providing capital to syndicates operating in the Lloyd’s market, and the Managing Director - Insurance of Brooks, Houghton & Co., a privately owned specialist investment banking and fund management firm founded in 1989. From 1985 to 2006 he was with T&H Holdings, Inc., parent of Toplis and Harding, Inc., one of the oldest independent insurance outsourced services companies in North America specializing in claims adjusting work, where he served as Chairman, President and CEO and where he continues to serve as a non-executive director. From 1970 to 1985 he was with Winchester Bowring, Ltd., a specialist reinsurance broker at Lloyd’s and a subsidiary of Marsh & McLennan, Inc., where he served as Managing Director from 1976 to 1985 and from 1964 to 1970 he was with Alexander Howden, Ltd., now a part of Aon Corporation, where he served as an Assistant Director from 1968 to 1970. Mr. Winchester has also been an Underwriting Member of Lloyd’s since 1978. Mr. Winchester served as a director of Montpelier from 2007 to 2015.
Ian M. Winchester,目前是一个专注于为Lloyd的理事会提供资本的基金-BHC Winton Funds, L.P。投资基金的一位经营合伙人和投资委员会主席。以及是一家于1989年创立的私营专家投资银行业务和基金管理公司- Brooks, Houghton公司的总经理。1985-2006年期间,他曾在Toplis 和 Harding股份有限公司的母公司- T&H Holdings股份有限公司工作,该公司是北美(North America)从事索赔调整工作最久的独立保险外包服务公司之一,他在该公司担任董事长、总裁和首席执行官,并继续担任非执行董事。1970-1985年期间,他曾在Lloyd’s的一个专业人员再保险经纪商、Marsh & McLennan股份有限公司的一个子公司-Winchester Bowring有限公司担任总经理;1964-1970年期间,曾在Alexander Howden有限公司(现为Aon公司的一部分)工作,1968-1970年期间担任副经理。自1978年以来,Winchester先生是Lloyd’s的一位承销成员。
Ian M. Winchester has been a director of the Company since July 2015 and currently serves as a member of the Audit Committee and the Risk Committee of the Board. Mr. Winchester is currently a Managing Partner and Chairman of the Investment Committee of BHC Winton Funds, L.P., an investment fund which focuses on providing capital to syndicates operating in the Lloyd’s market, and the Managing Director - Insurance of Brooks, Houghton & Co., a privately owned specialist investment banking and fund management firm founded in 1989. From 1985 to 2006 he was with T&H Holdings, Inc., parent of Toplis and Harding, Inc., one of the oldest independent insurance outsourced services companies in North America specializing in claims adjusting work, where he served as Chairman, President and CEO and where he continues to serve as a non-executive director. From 1970 to 1985 he was with Winchester Bowring, Ltd., a specialist reinsurance broker at Lloyd’s and a subsidiary of Marsh & McLennan, Inc., where he served as Managing Director from 1976 to 1985 and from 1964 to 1970 he was with Alexander Howden, Ltd., now a part of Aon Corporation, where he served as an Assistant Director from 1968 to 1970. Mr. Winchester has also been an Underwriting Member of Lloyd’s since 1978. Mr. Winchester served as a director of Montpelier from 2007 to 2015.
Susan S. Fleming

Susan S. Fleming,自从2011年5月以来,一直担任本公司的董事,目前担任薪酬委员会和风险管理委员会的成员。她曾在Capital Z Financial Services公司工作,一家私人股份公司。1998年至2001年,担任负责人,从2001年到2003年,担任合伙人。从1994年至2003年,她还是Insurance Partners Advisors有限责任合伙的副总裁,一家私人股权投资公司。从1992年至1994年,她担任摩根士丹利公司的各种职务,她目前是美国康乃尔大学的管理、金融和创业的顾问和高级讲师。自2009年1月,她一直是Virtus Investment Partners公司的董事,一家公开上市的资产管理公司。从1999年7月到2003年12月,她还担任Universal American Financial公司的董事,一家专业医疗保健公司。从2002年4月到2005年4月,她担任PXRE集团有限公司的董事,财产再保险公司,从2000年2月到2000年8月,她担任谷神星集团公司的董事,一家保险和养老金产品提供者,从2006年7月到2008年10月,她担任广达资本控股有限公司(Quanta Capital Holdings)的董事,一家专业保险和再保险控股公司。


Susan S. Fleming,is an entrepreneur in residence, executive educator, and angel investor. From 2009 through 2018, she served as a Senior Lecturer of management and entrepreneurship at the School of Hotel Administration and the Johnson Graduate School of Management of Cornell University. From 2004 through 2009, she pursued a Masters and PhD from Cornell University. From 1998 until December 2003, she was Partner and Principal of Capital Z Financial Services Partners, a private equity fund focused on the financial services industry. From 1994 until December 2003, she served as Vice President, Insurance Partners Advisors, L.P., a private equity fund focused on the insurance and healthcare industries. From 1992 until 1994 she was an analyst with Morgan Stanley & Co.
Susan S. Fleming,自从2011年5月以来,一直担任本公司的董事,目前担任薪酬委员会和风险管理委员会的成员。她曾在Capital Z Financial Services公司工作,一家私人股份公司。1998年至2001年,担任负责人,从2001年到2003年,担任合伙人。从1994年至2003年,她还是Insurance Partners Advisors有限责任合伙的副总裁,一家私人股权投资公司。从1992年至1994年,她担任摩根士丹利公司的各种职务,她目前是美国康乃尔大学的管理、金融和创业的顾问和高级讲师。自2009年1月,她一直是Virtus Investment Partners公司的董事,一家公开上市的资产管理公司。从1999年7月到2003年12月,她还担任Universal American Financial公司的董事,一家专业医疗保健公司。从2002年4月到2005年4月,她担任PXRE集团有限公司的董事,财产再保险公司,从2000年2月到2000年8月,她担任谷神星集团公司的董事,一家保险和养老金产品提供者,从2006年7月到2008年10月,她担任广达资本控股有限公司(Quanta Capital Holdings)的董事,一家专业保险和再保险控股公司。
Susan S. Fleming,is an entrepreneur in residence, executive educator, and angel investor. From 2009 through 2018, she served as a Senior Lecturer of management and entrepreneurship at the School of Hotel Administration and the Johnson Graduate School of Management of Cornell University. From 2004 through 2009, she pursued a Masters and PhD from Cornell University. From 1998 until December 2003, she was Partner and Principal of Capital Z Financial Services Partners, a private equity fund focused on the financial services industry. From 1994 until December 2003, she served as Vice President, Insurance Partners Advisors, L.P., a private equity fund focused on the insurance and healthcare industries. From 1992 until 1994 she was an analyst with Morgan Stanley & Co.
John R. Charman

John R. Charman,2013年5月加入耐力公司担任董事会主席兼首席执行官。他目前担任财务委员会的成员及董事会风险管理委员会成员。他拥有40年全球保险业的经验,1975年以来他坐上了高级承销位置,1981年开始担任了公司的CEO,最近,他于2001年创立Axis Capital控股有限公司,并担任了11年的首席执行官兼总裁。从2000至2001年,他曾担任ACE INA控股公司的副主席和ACE International公司的总裁。从1998年到2001年之间,他还担任ACE全球市场的首席执行官,在此之前,他是Tarquin公共有限公司的首席执行官,Lloyd的Charman Underwriting Agencies的母公司,于1998年被卖给Ace有限公司,在1998年担任Ace的行政总裁,在1995年和1997年之间金融危机期间,他是Lloyd的理事会副主席,Lloyd的核心管理集团成员和Lloyd的市场委员会成员。从2011年1月至2012年6月,他担任了百慕大保险公司和再保险公司的协会第二副主席的位置。他目前是百慕大艺术博物馆的董事会成员。


John R. Charman joined the Company in May 2013 as Chairman of the Board and Chief Executive Officer. Mr. Charman has four decades of global experience in the insurance industry and has been in a senior underwriting position since 1975 and a CEO role since 1981. Most recently, Mr. Charman founded AXIS Capital Holdings Limited in 2001 and served for 11 years as its Chief Executive Officer and President. From 2000 to 2001 Mr. Charman served as Deputy Chairman of ACE INA Holdings and President of ACE International. Mr. Charman also served as Chief Executive Officer at ACE Global Markets from 1998 to 2001. Prior to that, Mr. Charman was the Chief Executive Officer of Tarquin plc, the parent company of the Charman Underwriting Agencies at Lloyd's, which was sold to Ace Limited in 1998. Mr. Charman was the Deputy Chairman of the Council of Lloyd's and a member of the Lloyd's Core Management Group and Lloyd's Market Board between 1995 and 1997 which was during the financial crisis at Lloyd's. Mr. Charman held the position of Second Deputy Chairman of the Association of Bermuda Insurers and Reinsurers from January 2011 to June 2012. Mr. Charman is currently a member of the Board of the Masterworks Museum of Bermuda Art.
John R. Charman,2013年5月加入耐力公司担任董事会主席兼首席执行官。他目前担任财务委员会的成员及董事会风险管理委员会成员。他拥有40年全球保险业的经验,1975年以来他坐上了高级承销位置,1981年开始担任了公司的CEO,最近,他于2001年创立Axis Capital控股有限公司,并担任了11年的首席执行官兼总裁。从2000至2001年,他曾担任ACE INA控股公司的副主席和ACE International公司的总裁。从1998年到2001年之间,他还担任ACE全球市场的首席执行官,在此之前,他是Tarquin公共有限公司的首席执行官,Lloyd的Charman Underwriting Agencies的母公司,于1998年被卖给Ace有限公司,在1998年担任Ace的行政总裁,在1995年和1997年之间金融危机期间,他是Lloyd的理事会副主席,Lloyd的核心管理集团成员和Lloyd的市场委员会成员。从2011年1月至2012年6月,他担任了百慕大保险公司和再保险公司的协会第二副主席的位置。他目前是百慕大艺术博物馆的董事会成员。
John R. Charman joined the Company in May 2013 as Chairman of the Board and Chief Executive Officer. Mr. Charman has four decades of global experience in the insurance industry and has been in a senior underwriting position since 1975 and a CEO role since 1981. Most recently, Mr. Charman founded AXIS Capital Holdings Limited in 2001 and served for 11 years as its Chief Executive Officer and President. From 2000 to 2001 Mr. Charman served as Deputy Chairman of ACE INA Holdings and President of ACE International. Mr. Charman also served as Chief Executive Officer at ACE Global Markets from 1998 to 2001. Prior to that, Mr. Charman was the Chief Executive Officer of Tarquin plc, the parent company of the Charman Underwriting Agencies at Lloyd's, which was sold to Ace Limited in 1998. Mr. Charman was the Deputy Chairman of the Council of Lloyd's and a member of the Lloyd's Core Management Group and Lloyd's Market Board between 1995 and 1997 which was during the financial crisis at Lloyd's. Mr. Charman held the position of Second Deputy Chairman of the Association of Bermuda Insurers and Reinsurers from January 2011 to June 2012. Mr. Charman is currently a member of the Board of the Masterworks Museum of Bermuda Art.

高管简历

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Christopher Gallagher

Christopher Gallagher被任命为首席风险官和集团精算师,2015年9月生效。Gallagher先生负责公司的企业风险管理与精算功能。在加入本公司前,2007年至2015年Gallagher先生是Axis Capital Holdings的保险部门的首席风险官。在这之前,2001年至2007年他担任Ernst & Young LLP伦敦保险和精算咨询业务的高级经理。Gallagher先生拥有 University of Glasgow数学和统计科学荣誉学士学位,是英国精算师研究所的院士。


Christopher Gallagher was named Chief Risk Officer and Group Actuary, effective September 2015. Mr. Gallagher is responsible for the Company's Enterprise Risk Management and Actuarial Functions. Prior to joining the Company, Mr. Gallagher was the Chief Risk Officer of the Insurance segment at Axis Capital Holdings from 2007 to 2015. Prior thereto, he served from 2001 to 2007 as a Senior Manager in Ernst & Young LLP's insurance and actuarial advisory practice in London. Mr. Gallagher holds a Bachelor of Science Honours degree in Mathematics and Statistics from the University of Glasgow and is a Fellow of the Institute and Faculty of Actuaries in the UK.
Christopher Gallagher被任命为首席风险官和集团精算师,2015年9月生效。Gallagher先生负责公司的企业风险管理与精算功能。在加入本公司前,2007年至2015年Gallagher先生是Axis Capital Holdings的保险部门的首席风险官。在这之前,2001年至2007年他担任Ernst & Young LLP伦敦保险和精算咨询业务的高级经理。Gallagher先生拥有 University of Glasgow数学和统计科学荣誉学士学位,是英国精算师研究所的院士。
Christopher Gallagher was named Chief Risk Officer and Group Actuary, effective September 2015. Mr. Gallagher is responsible for the Company's Enterprise Risk Management and Actuarial Functions. Prior to joining the Company, Mr. Gallagher was the Chief Risk Officer of the Insurance segment at Axis Capital Holdings from 2007 to 2015. Prior thereto, he served from 2001 to 2007 as a Senior Manager in Ernst & Young LLP's insurance and actuarial advisory practice in London. Mr. Gallagher holds a Bachelor of Science Honours degree in Mathematics and Statistics from the University of Glasgow and is a Fellow of the Institute and Faculty of Actuaries in the UK.
Brian W. Goshen

Brian W. Goshen在2014年2月被任命为首席人力资源官。2014年5月,他被任命为首席行政官。除了担任人力资源职务外,还负责信息技术,市场营销和通信,房地产和配套设施及环球公司索赔。在加入本公司之前,Goshen先生担任许多高级人力资源职位,最近在AXIS Capital Holdings Limited任职。2006年1月Goshen先生加入AXIS,担任首席人力资源官,2010年晋升为首席行政官。加入AXIS之前,他曾担任Fifth Third银行人力资源副总裁。在此之前,他曾在Marsh任职8年,一家Marsh & McLennan Companies的全资子公司出任董事总经理,他曾担任其北美和亚太区业务的人力资源区域负责人。Goshen先生的职业生涯还在香港和上海汇丰银行,Goldman Sachs和美国军队担任人力资源职位。Goshen先生拥有Central Washington University管理与组织学士学位。


Brian W. Goshen was named Chief Human Resources Officer in February 2014. In May of 2014 he was named Chief Administrative Officer assuming responsibility for Information Technology, Marketing and Communications, Real Estate and Facilities and Global Corporate Claims in addition to his Human Resources duties. Prior to joining the Company, Mr. Goshen held a number of senior human resources positions, most recently at AXIS Capital Holdings Limited. Mr. Goshen joined AXIS in January 2006 as Chief Human Resources Officer and was promoted to Chief Administrative Officer in 2010. Before joining AXIS, he served as a Vice President of Human Resources at Fifth Third Bank. Prior to that, he was with Marsh, a wholly owned subsidiary of Marsh & McLennan Companies, for eight years where, as a Managing Director, he served as regional head of Human Resources for their North America and Asia-Pacific operations. Mr. Goshen's career also includes Human Resources positions with the Hong Kong and Shanghai Banking Corporation HSBC, Goldman Sachs and the U.S. Army. Mr. Goshen holds a B.S. in Management and Organization from Central Washington University.
Brian W. Goshen在2014年2月被任命为首席人力资源官。2014年5月,他被任命为首席行政官。除了担任人力资源职务外,还负责信息技术,市场营销和通信,房地产和配套设施及环球公司索赔。在加入本公司之前,Goshen先生担任许多高级人力资源职位,最近在AXIS Capital Holdings Limited任职。2006年1月Goshen先生加入AXIS,担任首席人力资源官,2010年晋升为首席行政官。加入AXIS之前,他曾担任Fifth Third银行人力资源副总裁。在此之前,他曾在Marsh任职8年,一家Marsh & McLennan Companies的全资子公司出任董事总经理,他曾担任其北美和亚太区业务的人力资源区域负责人。Goshen先生的职业生涯还在香港和上海汇丰银行,Goldman Sachs和美国军队担任人力资源职位。Goshen先生拥有Central Washington University管理与组织学士学位。
Brian W. Goshen was named Chief Human Resources Officer in February 2014. In May of 2014 he was named Chief Administrative Officer assuming responsibility for Information Technology, Marketing and Communications, Real Estate and Facilities and Global Corporate Claims in addition to his Human Resources duties. Prior to joining the Company, Mr. Goshen held a number of senior human resources positions, most recently at AXIS Capital Holdings Limited. Mr. Goshen joined AXIS in January 2006 as Chief Human Resources Officer and was promoted to Chief Administrative Officer in 2010. Before joining AXIS, he served as a Vice President of Human Resources at Fifth Third Bank. Prior to that, he was with Marsh, a wholly owned subsidiary of Marsh & McLennan Companies, for eight years where, as a Managing Director, he served as regional head of Human Resources for their North America and Asia-Pacific operations. Mr. Goshen's career also includes Human Resources positions with the Hong Kong and Shanghai Banking Corporation HSBC, Goldman Sachs and the U.S. Army. Mr. Goshen holds a B.S. in Management and Organization from Central Washington University.
Stephen H. R. Young

Stephen H. R. Young被任命为全球再保险的首席执行官,2016年1月生效。担任这个职务之前,自2011年9月起Young先生担任执行副总裁,首席核保官,全球巨灾再保险的负责人。2002年,Young先生加入本公司位于百慕大的再保险队,2005年承担公司在美国的巨灾再保险企业的责任;后来担任高级副总裁,负责美洲财产巨灾承保。在任职之前,Young先生在本行业担任各承销职务。他出生于百慕大,从Babson College毕业,获得金融学学士学位。


Stephen H. R. Young was named Chief Executive Officer, Global Reinsurance, effective January 2016. Prior to being appointed to this role, Mr. Young was Executive Vice President, Chief Underwriting Officer, Head of Global Catastrophe Reinsurance of the Company since September 2011. Mr. Young joined the Company's Bermuda-based reinsurance team in 2002 as an underwriter, assumed responsibility for the Company's U.S. catastrophe reinsurance business in 2005 and later served as Senior Vice President responsible for Property Catastrophe underwriting in the Americas. Prior to his tenure at the Company, Mr. Young held various underwriting positions in the industry. A native of Bermuda, he graduated from Babson College with a Bachelor of Science degree in Finance.
Stephen H. R. Young被任命为全球再保险的首席执行官,2016年1月生效。担任这个职务之前,自2011年9月起Young先生担任执行副总裁,首席核保官,全球巨灾再保险的负责人。2002年,Young先生加入本公司位于百慕大的再保险队,2005年承担公司在美国的巨灾再保险企业的责任;后来担任高级副总裁,负责美洲财产巨灾承保。在任职之前,Young先生在本行业担任各承销职务。他出生于百慕大,从Babson College毕业,获得金融学学士学位。
Stephen H. R. Young was named Chief Executive Officer, Global Reinsurance, effective January 2016. Prior to being appointed to this role, Mr. Young was Executive Vice President, Chief Underwriting Officer, Head of Global Catastrophe Reinsurance of the Company since September 2011. Mr. Young joined the Company's Bermuda-based reinsurance team in 2002 as an underwriter, assumed responsibility for the Company's U.S. catastrophe reinsurance business in 2005 and later served as Senior Vice President responsible for Property Catastrophe underwriting in the Americas. Prior to his tenure at the Company, Mr. Young held various underwriting positions in the industry. A native of Bermuda, he graduated from Babson College with a Bachelor of Science degree in Finance.
John V. Del Col

John V. Del Col,自2003年1月,他担任公司的总法律顾问和秘书。自2007年2月,他担任收购部门的执行副总裁。从1999年10月至2003年1月,他担任Trenwick集团股份有限公司及其前身公司Trenwick集团公司的执行副总裁,总法律顾问和秘书。Trenwick集团公司是一家财产再保险公司。从1998年1月,直到1999年10月它与Trenwick集团公司合并融入后,他是Chartwell Re公司的副总裁、总法律顾问和秘书。一家财产事故保险的再保公司。从1994年7月到1997年12月,他是MeesPierson控股公司的副总法律顾问和助理秘书,一家荷兰的商业银行。从1991年11月到1994年7月,他是LeBoeuf, Lamb, Greene & MacRae律师事务所的合伙人。在此之前,他是Sullivan & Cromwel律师事务所的合伙人。


John V. Del Col has been the Company's General Counsel and Secretary since January 2003 and Executive Vice President, Acquisitions since February 2007. From October 1999 until January 2003 Mr. Del Col served as Executive Vice President, General Counsel, and Secretary of Trenwick Group Ltd. and its predecessor company, Trenwick Group Inc., a property and casualty reinsurer. Mr. Del Col was Vice President, General Counsel, and Secretary of Chartwell Re Corporation, a property and casualty reinsurer, from January 1998 until its merger with and into Trenwick Group Inc. in October 1999. From July 1994 until December 1997 Mr. Del Col was the Deputy General Counsel and Assistant Secretary at MeesPierson Holdings Inc., a Dutch merchant bank. From November 1991 until July 1994 Mr. Del Col was an associate in the law firm of LeBoeuf, Lamb, Greene & MacRae, L.L.P. Prior thereto, Mr. Del Col was an associate in the law firm of Sullivan & Cromwell.
John V. Del Col,自2003年1月,他担任公司的总法律顾问和秘书。自2007年2月,他担任收购部门的执行副总裁。从1999年10月至2003年1月,他担任Trenwick集团股份有限公司及其前身公司Trenwick集团公司的执行副总裁,总法律顾问和秘书。Trenwick集团公司是一家财产再保险公司。从1998年1月,直到1999年10月它与Trenwick集团公司合并融入后,他是Chartwell Re公司的副总裁、总法律顾问和秘书。一家财产事故保险的再保公司。从1994年7月到1997年12月,他是MeesPierson控股公司的副总法律顾问和助理秘书,一家荷兰的商业银行。从1991年11月到1994年7月,他是LeBoeuf, Lamb, Greene & MacRae律师事务所的合伙人。在此之前,他是Sullivan & Cromwel律师事务所的合伙人。
John V. Del Col has been the Company's General Counsel and Secretary since January 2003 and Executive Vice President, Acquisitions since February 2007. From October 1999 until January 2003 Mr. Del Col served as Executive Vice President, General Counsel, and Secretary of Trenwick Group Ltd. and its predecessor company, Trenwick Group Inc., a property and casualty reinsurer. Mr. Del Col was Vice President, General Counsel, and Secretary of Chartwell Re Corporation, a property and casualty reinsurer, from January 1998 until its merger with and into Trenwick Group Inc. in October 1999. From July 1994 until December 1997 Mr. Del Col was the Deputy General Counsel and Assistant Secretary at MeesPierson Holdings Inc., a Dutch merchant bank. From November 1991 until July 1994 Mr. Del Col was an associate in the law firm of LeBoeuf, Lamb, Greene & MacRae, L.L.P. Prior thereto, Mr. Del Col was an associate in the law firm of Sullivan & Cromwell.
Michael J. McGuire

Michael J. McGuire,2006年1月以来,他一直担任首席财务官,他于2003年加入耐力来领导其对外公布的财务报告,财政和萨班斯-奥克斯利法案计划。他从德勤有限责任合伙来到耐力公司,在那里他花了九年的时间担任在美国,百慕大和欧洲的不同的审计和咨询工作岗位。在他最后在德勤的岗位上,他担任并购咨询实践高级经理,提供交易账户、构建和评估为私人股本和战略投资者的服务。他是一个注册会计师,也是美国注册会计师协会的一员。


Michael J. McGuire has been our Chairman since August 2015. He has served as Chief Financial Officer of Endurance since January 2006. Mr. McGuire joined Endurance in 2003 to lead its external reporting, treasury and Sarbanes-Oxley compliance initiatives. Prior to joining Endurance, Mr. McGuire was employed by Deloitte & Touche LLP “Deloitte” where he spent over nine years working in a variety of audit and advisory roles in the United States, Bermuda and Europe. In his last role at Deloitte, Mr. McGuire served as a senior manager in Deloitte’s merger and acquisition advisory practice, providing transaction accounting, structuring and due diligence services to private equity and strategic investors. Mr. McGuire is a Certified Public Accountant and a member of the American Institute of Certified Public Accountants.
Michael J. McGuire,2006年1月以来,他一直担任首席财务官,他于2003年加入耐力来领导其对外公布的财务报告,财政和萨班斯-奥克斯利法案计划。他从德勤有限责任合伙来到耐力公司,在那里他花了九年的时间担任在美国,百慕大和欧洲的不同的审计和咨询工作岗位。在他最后在德勤的岗位上,他担任并购咨询实践高级经理,提供交易账户、构建和评估为私人股本和战略投资者的服务。他是一个注册会计师,也是美国注册会计师协会的一员。
Michael J. McGuire has been our Chairman since August 2015. He has served as Chief Financial Officer of Endurance since January 2006. Mr. McGuire joined Endurance in 2003 to lead its external reporting, treasury and Sarbanes-Oxley compliance initiatives. Prior to joining Endurance, Mr. McGuire was employed by Deloitte & Touche LLP “Deloitte” where he spent over nine years working in a variety of audit and advisory roles in the United States, Bermuda and Europe. In his last role at Deloitte, Mr. McGuire served as a senior manager in Deloitte’s merger and acquisition advisory practice, providing transaction accounting, structuring and due diligence services to private equity and strategic investors. Mr. McGuire is a Certified Public Accountant and a member of the American Institute of Certified Public Accountants.
John A. Kuhn

John A. Kuhn,在2012年11月,被任命为耐力公司全球保险部门的首席执行官,他从Axis Capital加入耐力公司,他的最新岗位是Axis Insurance公司的首席核保官,负责全球保险业务,并事先担任该公司北美区首席。在2003年时他加入Axis Capital,当时该公司收购了Kemper Insurance公司的金融保险解决方案业务,这一业务是他担任该业务部门的总裁时创建的。他在丘博集团保险公司开始了保险职业生涯,在那里他承担越来越多的责任,最终成为丘博行政保护部门的首席承保官。他获得了卫斯理大学学士学位。


John A. Kuhn was named Chief Executive Officer, Global Insurance, of the Company, effective November 2012. Mr. Kuhn joined the Company from AXIS Capital where his most recent role was Chief Underwriting Officer, AXIS Insurance, responsible for the worldwide insurance operations and, prior to that, Chief Executive Officer, North American Division, AXIS Insurance. He joined AXIS Capital in 2003 when the company acquired Kemper Insurance's Financial Insurance Solutions business which Mr. Kuhn had built as President of that business unit. Mr. Kuhn started his insurance career at Chubb Group of Insurance Companies, where he assumed increasing responsibility, culminating in the role of Chief Underwriting Officer for Chubb/Executive Protection. Mr. Kuhn holds a B.A. degree from Wesleyan University.
John A. Kuhn,在2012年11月,被任命为耐力公司全球保险部门的首席执行官,他从Axis Capital加入耐力公司,他的最新岗位是Axis Insurance公司的首席核保官,负责全球保险业务,并事先担任该公司北美区首席。在2003年时他加入Axis Capital,当时该公司收购了Kemper Insurance公司的金融保险解决方案业务,这一业务是他担任该业务部门的总裁时创建的。他在丘博集团保险公司开始了保险职业生涯,在那里他承担越来越多的责任,最终成为丘博行政保护部门的首席承保官。他获得了卫斯理大学学士学位。
John A. Kuhn was named Chief Executive Officer, Global Insurance, of the Company, effective November 2012. Mr. Kuhn joined the Company from AXIS Capital where his most recent role was Chief Underwriting Officer, AXIS Insurance, responsible for the worldwide insurance operations and, prior to that, Chief Executive Officer, North American Division, AXIS Insurance. He joined AXIS Capital in 2003 when the company acquired Kemper Insurance's Financial Insurance Solutions business which Mr. Kuhn had built as President of that business unit. Mr. Kuhn started his insurance career at Chubb Group of Insurance Companies, where he assumed increasing responsibility, culminating in the role of Chief Underwriting Officer for Chubb/Executive Protection. Mr. Kuhn holds a B.A. degree from Wesleyan University.
John R. Charman

John R. Charman,2013年5月加入耐力公司担任董事会主席兼首席执行官。他目前担任财务委员会的成员及董事会风险管理委员会成员。他拥有40年全球保险业的经验,1975年以来他坐上了高级承销位置,1981年开始担任了公司的CEO,最近,他于2001年创立Axis Capital控股有限公司,并担任了11年的首席执行官兼总裁。从2000至2001年,他曾担任ACE INA控股公司的副主席和ACE International公司的总裁。从1998年到2001年之间,他还担任ACE全球市场的首席执行官,在此之前,他是Tarquin公共有限公司的首席执行官,Lloyd的Charman Underwriting Agencies的母公司,于1998年被卖给Ace有限公司,在1998年担任Ace的行政总裁,在1995年和1997年之间金融危机期间,他是Lloyd的理事会副主席,Lloyd的核心管理集团成员和Lloyd的市场委员会成员。从2011年1月至2012年6月,他担任了百慕大保险公司和再保险公司的协会第二副主席的位置。他目前是百慕大艺术博物馆的董事会成员。


John R. Charman joined the Company in May 2013 as Chairman of the Board and Chief Executive Officer. Mr. Charman has four decades of global experience in the insurance industry and has been in a senior underwriting position since 1975 and a CEO role since 1981. Most recently, Mr. Charman founded AXIS Capital Holdings Limited in 2001 and served for 11 years as its Chief Executive Officer and President. From 2000 to 2001 Mr. Charman served as Deputy Chairman of ACE INA Holdings and President of ACE International. Mr. Charman also served as Chief Executive Officer at ACE Global Markets from 1998 to 2001. Prior to that, Mr. Charman was the Chief Executive Officer of Tarquin plc, the parent company of the Charman Underwriting Agencies at Lloyd's, which was sold to Ace Limited in 1998. Mr. Charman was the Deputy Chairman of the Council of Lloyd's and a member of the Lloyd's Core Management Group and Lloyd's Market Board between 1995 and 1997 which was during the financial crisis at Lloyd's. Mr. Charman held the position of Second Deputy Chairman of the Association of Bermuda Insurers and Reinsurers from January 2011 to June 2012. Mr. Charman is currently a member of the Board of the Masterworks Museum of Bermuda Art.
John R. Charman,2013年5月加入耐力公司担任董事会主席兼首席执行官。他目前担任财务委员会的成员及董事会风险管理委员会成员。他拥有40年全球保险业的经验,1975年以来他坐上了高级承销位置,1981年开始担任了公司的CEO,最近,他于2001年创立Axis Capital控股有限公司,并担任了11年的首席执行官兼总裁。从2000至2001年,他曾担任ACE INA控股公司的副主席和ACE International公司的总裁。从1998年到2001年之间,他还担任ACE全球市场的首席执行官,在此之前,他是Tarquin公共有限公司的首席执行官,Lloyd的Charman Underwriting Agencies的母公司,于1998年被卖给Ace有限公司,在1998年担任Ace的行政总裁,在1995年和1997年之间金融危机期间,他是Lloyd的理事会副主席,Lloyd的核心管理集团成员和Lloyd的市场委员会成员。从2011年1月至2012年6月,他担任了百慕大保险公司和再保险公司的协会第二副主席的位置。他目前是百慕大艺术博物馆的董事会成员。
John R. Charman joined the Company in May 2013 as Chairman of the Board and Chief Executive Officer. Mr. Charman has four decades of global experience in the insurance industry and has been in a senior underwriting position since 1975 and a CEO role since 1981. Most recently, Mr. Charman founded AXIS Capital Holdings Limited in 2001 and served for 11 years as its Chief Executive Officer and President. From 2000 to 2001 Mr. Charman served as Deputy Chairman of ACE INA Holdings and President of ACE International. Mr. Charman also served as Chief Executive Officer at ACE Global Markets from 1998 to 2001. Prior to that, Mr. Charman was the Chief Executive Officer of Tarquin plc, the parent company of the Charman Underwriting Agencies at Lloyd's, which was sold to Ace Limited in 1998. Mr. Charman was the Deputy Chairman of the Council of Lloyd's and a member of the Lloyd's Core Management Group and Lloyd's Market Board between 1995 and 1997 which was during the financial crisis at Lloyd's. Mr. Charman held the position of Second Deputy Chairman of the Association of Bermuda Insurers and Reinsurers from January 2011 to June 2012. Mr. Charman is currently a member of the Board of the Masterworks Museum of Bermuda Art.